This manual is designed to help acquaint you with the Securities Module of Oracle FLEXCUBE.
It provides an overview to the module and takes you through the various steps involved in maintaining securities, portfolios, and deals. It also covers all the corporate actions that can be performed on Securities.
Information specific to a particular field can be obtained by placing the cursor on the relevant field and striking the <F1> key on the keyboard.
This manual is intended for the following User/User Roles:
Role | Function | ||
---|---|---|---|
Back office data entry Clerks | Input functions for deals/queries | ||
Back office Managers/Officers | Authorization functions/queries | ||
Product Managers | Product definition and authorization | ||
End of Day Operators | Processing during End of Day/ beginning of day | ||
Financial Controller/Product Managers | Generation of queries/reports |
This manual is organized into the following chapters:
Chapter | Description | ||
---|---|---|---|
Chapter 1 | About this Manual gives information on the intended audience. It also lists the various chapters covered in this User Manual. | ||
Chapter 2 | Securities Domain gives an overview of the securities domain. | ||
Chapter 3 | Securities -an overview explains the snapshot of the features and functionality offered by the module. | ||
Chapter 4 | General Maintenance deals with setting up and maintaining basic information, before the Securities module becomes operational. | ||
Chapter 5 | Maintaining Price Details deals with updating the current market price of various securities maintained in the system. | ||
Chapter 6 | Maintaining Market Price Codes deals with maintaining codes for the market price of securities including multiple price codes on account of trading in different markets. | ||
Chapter 7 | Maintaining Safe Keeping Locations deals with defining Safe Keeping locations and maintaining Safe Keeping accounts for trading securities. | ||
Chapter 8 | Building Branch & Currency Restriction Classes details on the parameters to be defined and maintained governing the rules of processing securities, and define Branch, Currency, and Customer Restrictions as Classes. | ||
Chapter 9 | The Accounting Role to Head Mapping Class discusses the concept of Accounting Roles and Accounting Heads. Also described is the building of Accounting Role to Head Mapping Classes. | ||
Chapter 10 | Defining Security Preference Classes are the options available for defining the attributes of a security. This chapter explains the building of a Security Preference Class. | ||
Chapter 11 | MaintainingPortfolio Preference Class explains the building of a Portfolio Preference Class. | ||
Chapter 12 | Defining a Deal Preference Class explains the building of a Deal Preference Class. | ||
Chapter 13 | Security Restriction Classes details the concept of a Security Restrictions Class and the procedure of building one. | ||
Chapter 14 | Maintaining Portfolio Restriction Classes discusses the concept of, a Portfolio Restrictions Class and the procedure involved in building one | ||
Chapter 15 | Defining Attributes of a Securities Product - describes the concept of a product and the building of a Securities Product in Oracle FLEXCUBE. | ||
Chapter 16 | Defining Attributes of a Portfolio Product explains how you can build a Portfolio Product. | ||
Chapter 17 | Defining Attributes of a Deal Product - explained in this chapter is the procedure of building a Deal Product. | ||
Chapter 18 | Defining a Product Combination chapter deals with setting up products that cater to deal combinations. | ||
Chapter 19 | Maintaining a Security explains the details that you need to enter to maintain a security. | ||
Chapter 20 | Maintaining and Processing Corporate Actions enables you to understand the maintenance of corporate actions and the processing of corporate action events. | ||
Chapter 21 | Defining Portfolios deals with setting up of Portfolios for the Bank, your customers and for an Issuer of securities. | ||
Chapter 22 | Processing a Securities Deal deals with processing the following types of Securities deals: | ||
Chapter 23 | Processing a Block Securities Deal explains the manner in which block deals are processed in Oracle FLEXCUBE. | ||
Chapter 24 | Transferring Securities across Locations explains how to transfer securities from one Safe Keeping location to another or from one account to another within the same location. In addition it also tells you how to stop, a specified quantity of securities from being traded in the market. | ||
Chapter 25 | Maintaining Block Security Details deals with specifying a quantity of securities to be stopped from being traded in the market | ||
Chapter 26 | Batch Processes documents the Beginning and End of Day functions that are processed by the system. | ||
Chapter 27 | Customer Correspondence explains the various types of advices generated at each stage, for the Securities module. | ||
Chapter 28 | Making Queries tells you how to make queries for specific information. The steps to be followed to build a query are also detailed here | ||
Chapter 29 | Handling Repos discusses the details that you need to maintain in the Securities module to process Repo and Reverse Repo deals. | ||
Chapter 30 | Printing Subsidiary General Ledger Form- Repo and Reverse Repo Deals explains the process to track and maintain the subsidiary general ledger form and Security Repo Payment. | ||
Chapter 31 | Error codes and Messages for Securities lists the error messages that you may encounter, while working with Oracle FLEXCUBE. | ||
Chapter 32 | Annexure A - Accounting Entries and Advices for the Securities module lists the suggested event-wise accounting entries and advices for the Securities module. | ||
Chapter 33 | Glossary provides the list the important terms and its definition. | ||
Chapter 34 | Reports explains the various report programs and reporting features available under the Securities module. | ||
Chapter 35 | Function ID Glossary has alphabetical listing of Function/Screen ID's used in the module with page references for quick navigation. |
You may need to refer to any or all of the User Manuals while working on the Securities module:
This User Manual may refer to all or some of the following icons:
Icons | Function | ||
---|---|---|---|
Exit | |||
Add row | |||
Delete row | |||
Option List |